Kumho Petro Chemical Co Ltd
KRX:011780
Balance Sheet
Balance Sheet Decomposition
Kumho Petro Chemical Co Ltd
Kumho Petro Chemical Co Ltd
Balance Sheet
Kumho Petro Chemical Co Ltd
| Dec-2001 | Dec-2002 | Dec-2003 | Dec-2004 | Dec-2005 | Dec-2006 | Dec-2007 | Dec-2008 | Dec-2009 | Dec-2010 | Dec-2011 | Dec-2012 | Dec-2013 | Dec-2014 | Dec-2015 | Dec-2016 | Dec-2017 | Dec-2018 | Dec-2019 | Dec-2020 | Dec-2021 | Dec-2022 | Dec-2023 | Dec-2024 | ||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Assets | |||||||||||||||||||||||||
| Cash & Cash Equivalents |
139 461
|
156 417
|
161 417
|
159 760
|
1 026 044
|
1 369 689
|
153 684
|
144 509
|
228 314
|
150 761
|
505 090
|
246 241
|
74 946
|
211 272
|
40 553
|
189 145
|
227 049
|
95 328
|
117 080
|
407 128
|
614 247
|
567 301
|
452 439
|
429 286
|
|
| Cash Equivalents |
139 461
|
156 417
|
161 417
|
159 760
|
1 026 044
|
1 369 689
|
153 684
|
144 509
|
228 314
|
150 761
|
505 090
|
246 241
|
74 946
|
211 272
|
40 553
|
189 145
|
227 049
|
95 328
|
117 080
|
407 128
|
614 247
|
567 301
|
452 439
|
429 286
|
|
| Short-Term Investments |
898 207
|
871 563
|
517 038
|
629 108
|
621 883
|
424 440
|
10 456
|
60 054
|
44 082
|
22 236
|
26 802
|
21 212
|
17 774
|
10 041
|
2 501
|
10 271
|
14 142
|
96 170
|
61 868
|
108 121
|
1 131 000
|
570 000
|
525 000
|
341 000
|
|
| Total Receivables |
1 216 199
|
1 063 300
|
824 114
|
1 008 148
|
1 517 689
|
3 821 002
|
1 066 551
|
1 547 467
|
1 261 859
|
762 251
|
926 870
|
638 019
|
608 537
|
629 691
|
473 826
|
569 036
|
621 449
|
667 987
|
585 795
|
625 082
|
862 276
|
716 371
|
780 634
|
891 017
|
|
| Accounts Receivables |
819 966
|
711 938
|
699 078
|
588 821
|
1 335 154
|
3 301 855
|
996 295
|
1 208 847
|
1 133 067
|
703 706
|
887 752
|
587 271
|
540 508
|
548 439
|
435 592
|
521 206
|
588 824
|
637 778
|
540 606
|
582 436
|
836 766
|
689 479
|
747 871
|
872 718
|
|
| Other Receivables |
396 233
|
351 362
|
125 036
|
419 327
|
182 535
|
519 147
|
70 256
|
338 620
|
128 792
|
58 545
|
39 118
|
50 748
|
68 029
|
81 252
|
38 234
|
47 830
|
32 625
|
30 209
|
45 189
|
42 646
|
25 510
|
26 892
|
32 763
|
18 299
|
|
| Inventory |
645 257
|
556 042
|
291 278
|
417 199
|
839 083
|
1 711 747
|
924 343
|
1 505 538
|
978 589
|
450 402
|
581 567
|
567 314
|
538 584
|
529 333
|
394 695
|
445 542
|
426 750
|
471 643
|
469 472
|
531 853
|
780 319
|
826 466
|
745 609
|
958 420
|
|
| Other Current Assets |
204 869
|
129 689
|
102 215
|
186 196
|
315 280
|
657 995
|
117 066
|
222 309
|
145 651
|
17 426
|
17 802
|
17 311
|
19 103
|
21 062
|
56 001
|
41 328
|
43 278
|
17 585
|
27 220
|
33 297
|
57 368
|
63 500
|
67 725
|
91 216
|
|
| Total Current Assets |
3 103 994
|
2 777 012
|
1 896 061
|
2 400 410
|
4 319 980
|
7 984 873
|
2 272 100
|
3 479 877
|
2 658 496
|
1 403 076
|
2 058 131
|
1 490 097
|
1 258 945
|
1 401 400
|
967 577
|
1 255 323
|
1 332 669
|
1 348 711
|
1 261 436
|
1 705 482
|
3 445 211
|
2 743 638
|
2 571 408
|
2 710 939
|
|
| PP&E Net |
5 758 993
|
5 545 869
|
4 523 726
|
5 008 193
|
6 682 152
|
8 295 186
|
3 492 244
|
4 831 235
|
4 828 706
|
1 774 417
|
1 922 407
|
2 129 599
|
2 221 670
|
2 260 981
|
2 505 694
|
2 564 778
|
2 440 254
|
2 365 587
|
2 352 473
|
2 330 500
|
3 508 864
|
3 716 515
|
4 039 183
|
4 177 328
|
|
| PP&E Gross |
5 758 993
|
5 545 869
|
4 523 726
|
5 008 193
|
6 682 152
|
8 295 186
|
3 492 244
|
4 831 235
|
4 828 706
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
2 330 500
|
3 508 864
|
3 716 515
|
4 039 183
|
4 177 328
|
|
| Accumulated Depreciation |
1 564 471
|
1 850 365
|
1 696 793
|
2 045 686
|
2 600 981
|
3 468 787
|
1 685 528
|
1 815 984
|
2 089 781
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
2 594 972
|
3 384 880
|
3 552 894
|
3 743 773
|
3 982 867
|
|
| Intangible Assets |
429 035
|
373 233
|
361 107
|
268 136
|
297 957
|
326 563
|
49 699
|
87 607
|
107 418
|
45 618
|
34 861
|
28 078
|
19 426
|
15 902
|
15 841
|
16 217
|
13 884
|
13 204
|
12 556
|
14 786
|
47 654
|
40 330
|
33 402
|
34 422
|
|
| Goodwill |
58 505
|
194 725
|
160 318
|
171 255
|
208 826
|
2 218 102
|
173 791
|
158 273
|
34 133
|
307
|
307
|
307
|
310
|
310
|
310
|
1 047
|
1 047
|
1 047
|
1 047
|
1 047
|
3 685
|
3 685
|
3 685
|
3 685
|
|
| Note Receivable |
209 887
|
119 287
|
78 738
|
10 749
|
20 464
|
267 661
|
7 391
|
6 436
|
7 557
|
12 375
|
7 852
|
12 932
|
6 101
|
6 095
|
1 826
|
3 874
|
5 284
|
5 499
|
7 711
|
7 879
|
7 734
|
7 814
|
5 823
|
5 934
|
|
| Long-Term Investments |
1 327 671
|
1 347 498
|
1 611 741
|
1 785 948
|
2 486 196
|
3 064 151
|
1 500 579
|
1 533 788
|
1 007 693
|
780 119
|
666 770
|
709 835
|
642 931
|
699 107
|
658 580
|
656 124
|
750 000
|
850 531
|
880 184
|
933 017
|
1 070 846
|
1 127 076
|
1 209 144
|
1 312 704
|
|
| Other Long-Term Assets |
2 087 892
|
2 452 641
|
2 299 427
|
2 469 450
|
2 393 231
|
3 293 205
|
63 766
|
110 385
|
271 484
|
104 987
|
23 905
|
39 891
|
62 255
|
53 511
|
60 728
|
48 752
|
36 676
|
32 142
|
22 636
|
34 572
|
31 680
|
80 213
|
117 050
|
95 227
|
|
| Other Assets |
58 505
|
194 725
|
160 318
|
171 255
|
208 826
|
2 218 102
|
173 791
|
158 273
|
34 133
|
307
|
307
|
307
|
310
|
310
|
310
|
1 047
|
1 047
|
1 047
|
1 047
|
1 047
|
3 685
|
3 685
|
3 685
|
3 685
|
|
| Total Assets |
12 975 976
N/A
|
12 810 265
-1%
|
10 931 119
-15%
|
12 114 141
+11%
|
16 408 806
+35%
|
25 449 741
+55%
|
7 559 571
-70%
|
10 207 601
+35%
|
8 915 487
-13%
|
4 120 898
-54%
|
4 714 233
+14%
|
4 410 739
-6%
|
4 211 639
-5%
|
4 437 304
+5%
|
4 210 556
-5%
|
4 546 114
+8%
|
4 579 814
+1%
|
4 616 721
+1%
|
4 538 042
-2%
|
5 027 282
+11%
|
8 115 675
+61%
|
7 719 272
-5%
|
7 979 695
+3%
|
8 340 239
+5%
|
|
| Liabilities | |||||||||||||||||||||||||
| Accounts Payable |
581 162
|
619 409
|
499 166
|
586 411
|
830 462
|
2 202 312
|
584 585
|
629 179
|
956 726
|
356 674
|
428 091
|
287 335
|
286 034
|
292 144
|
219 198
|
373 699
|
398 184
|
319 051
|
330 406
|
402 331
|
443 426
|
349 002
|
493 976
|
543 605
|
|
| Accrued Liabilities |
89 679
|
125 369
|
94 919
|
112 258
|
222 140
|
295 349
|
102 499
|
133 485
|
122 704
|
31 714
|
48 917
|
37 435
|
38 348
|
37 497
|
36 208
|
43 194
|
56 261
|
51 068
|
52 446
|
62 015
|
123 883
|
60 662
|
52 408
|
51 908
|
|
| Short-Term Debt |
2 245 452
|
1 967 012
|
768 462
|
656 384
|
1 383 265
|
2 082 373
|
1 220 516
|
2 015 798
|
2 580 894
|
716 268
|
812 607
|
804 069
|
481 287
|
731 017
|
696 933
|
981 807
|
899 803
|
816 773
|
470 117
|
314 606
|
387 904
|
305 294
|
346 082
|
345 771
|
|
| Current Portion of Long-Term Debt |
1 260 858
|
680 581
|
520 251
|
574 510
|
532 123
|
1 068 682
|
476 407
|
1 235 199
|
2 442 722
|
820 453
|
1 122 099
|
74 891
|
375 526
|
444 678
|
335 393
|
539 312
|
326 211
|
268 539
|
179 021
|
67 179
|
331 733
|
187 608
|
190 584
|
119 442
|
|
| Other Current Liabilities |
1 118 996
|
1 329 358
|
1 029 114
|
1 438 268
|
1 292 802
|
1 970 941
|
464 332
|
699 224
|
452 738
|
314 438
|
301 489
|
234 751
|
223 265
|
234 037
|
253 526
|
207 549
|
233 447
|
303 487
|
243 651
|
364 114
|
1 073 334
|
560 215
|
446 884
|
473 751
|
|
| Total Current Liabilities |
5 296 146
|
4 721 729
|
2 911 911
|
3 367 832
|
4 260 792
|
7 619 657
|
2 848 340
|
4 712 885
|
6 555 783
|
2 239 547
|
2 713 204
|
1 438 481
|
1 404 460
|
1 739 373
|
1 541 258
|
2 145 560
|
1 913 905
|
1 758 919
|
1 275 640
|
1 210 246
|
2 360 281
|
1 462 781
|
1 529 933
|
1 534 477
|
|
| Long-Term Debt |
883 648
|
739 530
|
870 803
|
1 765 518
|
3 798 351
|
5 630 602
|
2 936 408
|
3 285 018
|
1 398 318
|
952 281
|
364 756
|
1 210 119
|
1 175 907
|
972 502
|
882 265
|
559 536
|
583 112
|
371 733
|
506 937
|
525 788
|
313 778
|
303 864
|
346 217
|
479 974
|
|
| Deferred Income Tax |
90
|
0
|
0
|
0
|
91 009
|
0
|
64 985
|
116 788
|
19 882
|
0
|
39 359
|
61 121
|
30 732
|
31 983
|
49 319
|
54 493
|
77 465
|
88 054
|
85 931
|
92 754
|
185 650
|
124 871
|
96 057
|
98 848
|
|
| Minority Interest |
729 033
|
876 478
|
817 245
|
1 154 397
|
2 059 651
|
4 130 007
|
626 684
|
669 657
|
213 043
|
67 621
|
109 377
|
110 690
|
85 117
|
82 202
|
107 267
|
108 165
|
114 147
|
828
|
923
|
1 007
|
1 118
|
1 374
|
4 523
|
4 446
|
|
| Other Liabilities |
5 630 691
|
5 910 805
|
5 802 442
|
5 078 672
|
5 401 147
|
7 339 892
|
240 784
|
329 093
|
266 356
|
35 940
|
39 836
|
42 665
|
40 781
|
51 864
|
73 965
|
58 623
|
48 528
|
49 867
|
39 964
|
49 261
|
173 057
|
174 342
|
173 467
|
184 717
|
|
| Total Liabilities |
12 539 608
N/A
|
12 248 541
-2%
|
10 402 400
-15%
|
11 366 419
+9%
|
15 610 951
+37%
|
24 720 158
+58%
|
6 717 200
-73%
|
9 113 441
+36%
|
8 453 382
-7%
|
3 295 389
-61%
|
3 266 532
-1%
|
2 863 077
-12%
|
2 736 996
-4%
|
2 877 925
+5%
|
2 654 074
-8%
|
2 926 378
+10%
|
2 737 157
-6%
|
2 269 402
-17%
|
1 909 394
-16%
|
1 879 055
-2%
|
3 033 884
+61%
|
2 067 231
-32%
|
2 150 198
+4%
|
2 302 462
+7%
|
|
| Equity | |||||||||||||||||||||||||
| Common Stock |
170 749
|
170 749
|
170 749
|
142 239
|
142 239
|
142 239
|
142 239
|
142 239
|
142 239
|
142 240
|
167 456
|
167 456
|
167 456
|
167 456
|
167 456
|
167 456
|
167 456
|
167 456
|
167 456
|
167 456
|
167 456
|
167 456
|
167 456
|
167 456
|
|
| Retained Earnings |
108 892
|
147 434
|
206 591
|
22 935
|
161 899
|
201 532
|
411 760
|
357 071
|
283 790
|
572 463
|
1 046 865
|
1 113 221
|
1 051 441
|
1 102 565
|
1 145 722
|
1 207 923
|
1 402 981
|
1 924 565
|
2 186 701
|
2 727 443
|
4 565 066
|
5 185 750
|
5 391 662
|
5 571 213
|
|
| Additional Paid In Capital |
491 848
|
636 528
|
656 763
|
672 352
|
535 084
|
471 917
|
303 449
|
303 449
|
303 449
|
79 049
|
265 303
|
265 303
|
265 166
|
265 199
|
267 824
|
266 517
|
266 517
|
356 557
|
356 466
|
356 466
|
378 261
|
378 017
|
403 535
|
403 535
|
|
| Unrealized Security Profit/Loss |
48 730
|
5 384
|
466
|
2 665
|
0
|
51 076
|
44 299
|
286 278
|
406 509
|
73 525
|
4 600
|
42 112
|
29 089
|
63 191
|
15 214
|
18 035
|
48 352
|
58 468
|
40 444
|
61 195
|
4 692
|
42 726
|
95 276
|
72 062
|
|
| Treasury Stock |
123 693
|
91 063
|
91 586
|
40 460
|
0
|
40 066
|
40 066
|
40 066
|
40 066
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
40 372
|
0
|
0
|
0
|
37 604
|
37 604
|
31 335
|
|
| Other Equity |
55 087
|
1 672
|
1 082
|
6 140
|
41 368
|
5 036
|
19 311
|
45 188
|
66 237
|
41 769
|
36 523
|
40 430
|
38 510
|
39 032
|
39 735
|
40 195
|
42 649
|
2 418
|
41 530
|
41 943
|
33 685
|
1 148
|
276
|
1 030
|
|
| Total Equity |
436 368
N/A
|
561 724
+29%
|
528 719
-6%
|
747 722
+41%
|
797 855
+7%
|
729 583
-9%
|
842 370
+15%
|
1 094 160
+30%
|
462 104
-58%
|
825 509
+79%
|
1 447 700
+75%
|
1 547 662
+7%
|
1 474 642
-5%
|
1 559 380
+6%
|
1 556 482
0%
|
1 619 736
+4%
|
1 842 656
+14%
|
2 347 319
+27%
|
2 628 648
+12%
|
3 148 227
+20%
|
5 081 791
+61%
|
5 652 041
+11%
|
5 829 497
+3%
|
6 037 777
+4%
|
|
| Total Liabilities & Equity |
12 975 976
N/A
|
12 810 265
-1%
|
10 931 119
-15%
|
12 114 141
+11%
|
16 408 806
+35%
|
25 449 741
+55%
|
7 559 571
-70%
|
10 207 601
+35%
|
8 915 487
-13%
|
4 120 898
-54%
|
4 714 233
+14%
|
4 410 739
-6%
|
4 211 639
-5%
|
4 437 304
+5%
|
4 210 556
-5%
|
4 546 114
+8%
|
4 579 814
+1%
|
4 616 721
+1%
|
4 538 042
-2%
|
5 027 282
+11%
|
8 115 675
+61%
|
7 719 272
-5%
|
7 979 695
+3%
|
8 340 239
+5%
|
|
| Shares Outstanding | |||||||||||||||||||||||||
| Common Shares Outstanding |
15
|
17
|
17
|
20
|
20
|
20
|
20
|
20
|
20
|
20
|
25
|
25
|
25
|
25
|
25
|
25
|
25
|
25
|
25
|
25
|
28
|
27
|
26
|
26
|
|
| Preferred Shares Outstanding |
3
|
3
|
3
|
3
|
3
|
3
|
3
|
3
|
3
|
3
|
3
|
3
|
3
|
3
|
3
|
3
|
3
|
3
|
3
|
3
|
0
|
0
|
0
|
0
|
|